S&P 500 Index
Short

Great RRR of 1:4.86 (SHORT CALL #US_SP500_CFD

142
Dear Tradingview family,

Symbol: #US_SP500_CFD

Strategy: #RISING_WEDGE #Trend_Reversal #Trendline #Support_Resistance #RSI_BEARISH_Divergence.

Indicators: #Price_Action. #Chart_patterns #Rising_Wedge, #Trendline #Support_Resistance #RSI_Bullish_Divergence. #RSI #RichTL

Anchor Time: 4 Hours
Trading Time Frame: 1 Hours.

Trade Call Type: #SHORT.
2 STEPS ENTRY:

ENTRY 1 (HIGH RISK HIGH REWARD)
Order Type: IMMEDIATE SELL
Entry: IMMEDIATE SHORT

Entry price: 4110.0
Take Profit: 4001.6
Stop Loss: 4132.3
RRR- 1:4.86
RISK ONLY 0.5% of your Account Balance

ENTRY 2
Order Type: SELL STOP
Entry: SHORT on break of previous HL.

Entry price: 4087.6
Take Profit: 4001.6
Stop Loss: 4132.3
RRR- 1:1.88
RISK ONLY 0.5% of your Account Balance

Methodology:
As a professional and experienced forex, crypto and stocks trader, I will be using a rigorous methodology that involves analyzing the price action and key levels and using a combination of indicators, harmonic chart patterns and chart patterns. I will be looking for potential trendlines , support & resistance levels where the price action may reverse and using our indicators to confirm the validity of our analysis. Based on my analysis, I will then determine the optimal entry and exit points for our trade, as well as the appropriate stop loss level to manage risk.

Analysis:
The current price action on the #US_SP500_CFD chart is showing a clear Rising Wedge Pattern, on 4 & 1 hourly timeframes. Additionally, the Bearish RSI divergence on 1 Hour time frame add value to the strength of reversal pattern.
Price action’s this move provides me opportunity to earn some profits on when it is providing a great value of RRR of 1:4.86 and 1:1.88 respectively.
My Sell Stop entry is planned to execute when price action breaks the previous Lower High.

Conclusion:
Based on our analysis, I believe that there is a potential trading opportunity for a SHORT trade.

Risk Assessment:
Conservative Traders risk 0.5% to 1.5%, moderator traders risk 1.6% to 3.5% and aggressive traders risk 3.6% to 5% of their account per trade.

Please use Position size calculator to calculate your risk per trade.

Overall, I believe this setup has a good chance of success based on the technical analysis , but as always, it's important to monitor the price action closely and adjust the trade if necessary based on new information.

Disclaimer

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